SUBMIT YOUR CV WITH US

Risk Management

Risk Management

Selby Jennings Risk Management is a leading provider of recruitment solutions to financial institutions across Europe, the US, Asia and the Middle East.

Recently voted, Here is the City’s ‘Best Risk Management Recruitment Firm’ by our clients and candidates for the third year in a row, we are a preferred supplier to a number of leading financial organisations, from top-tier Investment Banks to Start-up Asset Managers, Hedge Funds and Analytics Firms.

Our consultants are Risk Management specialists and have in-depth industry specific knowledge of vertical Risk markets. The team has the resources and ability to identify and source the highest calibre candidates for every assignment at all levels of corporate hierarchy from Associate through to Managing Director – across both permanent and contingent roles.

We recruit beyond international boundaries on a truly global scale, from our Head Office in London and international offices in New York, Singapore, Hong Kong, Zurich and Dubai.

We offer an award-winning, market driven operation, unrivalled by our competitors. 

Renowned for our speed, accuracy and efficiency of search and our industry leading formula, Selby Jennings deliver a flexible approach with complete solutions.

For more information, please request a call back.

Structure and Coverage

The Risk Team at Selby Jennings is structured as follows, covering all asset classes, geographies and levels of seniority:

Market Risk

  • Trading Risk Management
  • VaR Analytics and Stress Testing
  • Market Risk Modelling
  • Market Risk Reporting
  • Quantitative Market Risk


Credit Risk

  • Quantitative Credit Risk (Counterparty (PFE/CVA/EPE), Wholesale to Retail IRB & Economic Capital Modelling (PD/LDG/EAD)
  • Credit Approval and Credit Analysis
  • Credit Analytics (RWA, Capital Adequacy, Regulatory Aspects...etc.)
  • Credit Risk Reporting


Regulatory Change Management

  • Liquidity Reporting
  • Capital Reporting
  • Basel II/ Basel III
  • RWA
  • COREP - FINREP


Operational Risk

  • Framework, Development, Implementation, Validation
  • Statistical Analysis of capital requirements
  • Business/Enterprise Risk: Project/Change Management and Business Analysis
  • Operational Risk Governance, Policy Setting and Review, Regulatory Compliance

For more information, please request a call back.

CONTACT US REQUEST A CALLBACK

SUBMIT

Latest Jobs

Senior Model Validation Manager || Leading...
  • Location: Hong Kong, Hong Kong
  • Salary: Up to 840k HKD + bonuses + benefits
Senior Credit Risk Manager || Large Corporate...
  • Location: Hong Kong, Hong Kong
  • Salary: Up to 840k HKD + bonuses + benefits
Market Risk Manager || Equities / Derivative...
  • Location: Hong Kong, Hong Kong
  • Salary: Up to 840k HKD + bonuses + benefits
View More
Unable to load tweet

SUBMIT YOUR CV

Contact us to find out more or submit your CV

(Please upload either Word or PDF format only)

Receive job and company updates by email from Phaidon International.